VOL. XCIV, NO. 247

★ FINANCIAL TOOLS & SERVICES DIRECTORY ★

PRICE: 5 CENTS

Sunday, December 7, 2025

Tool Comparison

Macrotrends vs Portfolio123 comparison

Compare pricing, supported platforms, categories, and standout capabilities to decide which tool fits your workflow.

Quick takeaways

Macrotrends adds Inflation Rates, and Retail Sales coverage that Portfolio123 skips.

Portfolio123 includes Quant, Stock Ideas, Portfolio, Watchlist, Backtesting, Correlation, Data APIs, APIs & SDKs, Broker Connectors, Education, Blogs, and Videos categories that Macrotrends omits.

In depth comparison

Macrotrends logo

Macrotrends

macrotrends.net

Free web-based portal for long-run charts and datasets across stocks, commodities, indices, FX, and macro indicators. Many series span 50–100+ years. Features include a stock screener and CSV downloads. Some content is gated by registration, and Terms mention fee-based premium products. No public API is advertised.

Platforms

Web

Pricing

FreeOther

Quick highlights

  • Interactive charts for stocks, commodities, indices, currencies, crypto, and macroeconomic data, often with history spanning back 50–100 years.
  • Free stock screener with 50+ filters covering fundamentals, technicals, and performance; includes U.S. and international equities.
  • Company profile pages combine daily prices, dividends, and full annual/quarterly financial statements, with fundamentals sourced from Zacks.
  • Macro indicator pages cite primary data sources such as BEA (GDP), University of Michigan (consumer sentiment), and Optimal Blue (mortgage rates).
  • CSV downloads available for many “Global Metrics” datasets via a dedicated download link.

Community votes (overall)

0% upvotes 0% downvotes
You haven't voted yet
Portfolio123 logo

Portfolio123

portfolio123.com

Editor’s pick Hands-on review

Rules‑based quant research and portfolio‑management platform. Free Manage module covers multi‑account tracking, watchlists, and broker connectivity, while paid Research/DataMiner/API tiers unlock multifactor ranking, screening, long history backtests, AI Factor, and programmatic access. API & DataMiner use an API‑credit system with monthly caps that depend on your membership; the 21‑day paid Research trial excludes API/DataMiner and runs on a limited history slice.

Platforms

WebAPIDesktop

Pricing

FreeSubscription

Quick highlights

  • Web‑based quant research terminal for building multifactor ranking systems, stock/ETF screens, and complete rules‑based strategies with no programming, powered by point‑in‑time FactSet data and marketed as free of survivorship and look‑ahead bias.
  • Supports realistic simulations and backtests over roughly 20 years of history for US, Canadian, and European equities, with custom universes, separate buy/sell rules, position sizing, hedging, and “Book of Strategies” to combine and analyze correlated systems.
  • Stock & ETF coverage uses fundamentals, estimates, corporate actions, plus industry/sector classification, with “over 15,000 current US, Canadian, and European stocks” and many more historical issues.
  • AI Factor lets users train machine‑learning factors and plug them into ranking systems and strategies alongside traditional factors, with supporting API endpoints.
  • Manage module (free) provides portfolio/account tracking with real‑time quotes, multi‑account strategy tracking, stock timelines, integrated research views, and re‑imagined watchlists that chart watchlist performance vs benchmarks.

Community votes (overall)

0% upvotes 0% downvotes
You haven't voted yet

Where they differ

Macrotrends

Distinct strengths include:

  • Interactive charts for stocks, commodities, indices, currencies, crypto, and macroeconomic data, often with history spanning back 50–100 years.
  • Free stock screener with 50+ filters covering fundamentals, technicals, and performance; includes U.S. and international equities.
  • Company profile pages combine daily prices, dividends, and full annual/quarterly financial statements, with fundamentals sourced from Zacks.
  • Macro indicator pages cite primary data sources such as BEA (GDP), University of Michigan (consumer sentiment), and Optimal Blue (mortgage rates).

Portfolio123

Distinct strengths include:

  • Web‑based quant research terminal for building multifactor ranking systems, stock/ETF screens, and complete rules‑based strategies with no programming, powered by point‑in‑time FactSet data and marketed as free of survivorship and look‑ahead bias.
  • Supports realistic simulations and backtests over roughly 20 years of history for US, Canadian, and European equities, with custom universes, separate buy/sell rules, position sizing, hedging, and “Book of Strategies” to combine and analyze correlated systems.
  • Stock & ETF coverage uses fundamentals, estimates, corporate actions, plus industry/sector classification, with “over 15,000 current US, Canadian, and European stocks” and many more historical issues.
  • AI Factor lets users train machine‑learning factors and plug them into ranking systems and strategies alongside traditional factors, with supporting API endpoints.

Feature-by-feature breakdown

AttributeMacrotrendsPortfolio123
Categories

Which research workflows each platform targets

Shared: Screeners, Data Visualizations, Financials, Unemployment Rates, GDP, Interest Rates, Housing & Construction, Consumer Sentiment

Unique: Inflation Rates, Retail Sales

Shared: Screeners, Data Visualizations, Financials, Unemployment Rates, GDP, Interest Rates, Housing & Construction, Consumer Sentiment

Unique: Quant, Stock Ideas, Portfolio, Watchlist, Backtesting, Correlation, Data APIs, APIs & SDKs, Broker Connectors, Education, Blogs, Videos

Asset types

Supported asset classes and universes

Stocks, ETFs, Commodities, Currencies, Cryptos

Stocks, ETFs, Closed-End Funds

Experience levels

Who each product is built for

Beginner, Intermediate, Advanced

Beginner, Intermediate, Advanced

Platforms

Where you can access the product

Web

Web, API, Desktop

Pricing

High-level pricing models

Free, Other

Free, Subscription

Key features

Core capabilities called out by each vendor

Unique

  • Interactive charts for stocks, commodities, indices, currencies, crypto, and macroeconomic data, often with history spanning back 50–100 years.
  • Free stock screener with 50+ filters covering fundamentals, technicals, and performance; includes U.S. and international equities.
  • Company profile pages combine daily prices, dividends, and full annual/quarterly financial statements, with fundamentals sourced from Zacks.
  • Macro indicator pages cite primary data sources such as BEA (GDP), University of Michigan (consumer sentiment), and Optimal Blue (mortgage rates).
  • CSV downloads available for many “Global Metrics” datasets via a dedicated download link.
  • Certain index charts update intramonth, with hourly refreshes for the current month.

Unique

  • Web‑based quant research terminal for building multifactor ranking systems, stock/ETF screens, and complete rules‑based strategies with no programming, powered by point‑in‑time FactSet data and marketed as free of survivorship and look‑ahead bias.
  • Supports realistic simulations and backtests over roughly 20 years of history for US, Canadian, and European equities, with custom universes, separate buy/sell rules, position sizing, hedging, and “Book of Strategies” to combine and analyze correlated systems.
  • Stock & ETF coverage uses fundamentals, estimates, corporate actions, plus industry/sector classification, with “over 15,000 current US, Canadian, and European stocks” and many more historical issues.
  • AI Factor lets users train machine‑learning factors and plug them into ranking systems and strategies alongside traditional factors, with supporting API endpoints.
  • Manage module (free) provides portfolio/account tracking with real‑time quotes, multi‑account strategy tracking, stock timelines, integrated research views, and re‑imagined watchlists that chart watchlist performance vs benchmarks.
  • Broker connectivity enables sending orders from Portfolio123 to linked brokerage accounts (e.g., Interactive Brokers, Tradier), syncing holdings and fills automatically while keeping assets at your existing broker.
Tested

Verified by hands-on testing inside Find My Moat

Not yet

Yes

Editor pick

Featured inside curated shortlists

Standard listing

Highlighted

Frequently Asked Questions

Which workflows do Macrotrends and Portfolio123 both support?

Both platforms cover Screeners, Data Visualizations, Financials, Unemployment Rates, GDP, Interest Rates, Housing & Construction, and Consumer Sentiment workflows, so you can research those use cases in either tool before digging into the feature differences below.

Do Macrotrends and Portfolio123 require subscriptions?

Both Macrotrends and Portfolio123 keep freemium access with optional paid upgrades, so you can trial each platform before committing.

How can you access Macrotrends and Portfolio123?

Both Macrotrends and Portfolio123 prioritize web or desktop access. Investors wanting a mobile-first workflow may need to rely on responsive web views.

What unique strengths set the two platforms apart?

Macrotrends differentiates itself with Interactive charts for stocks, commodities, indices, currencies, crypto, and macroeconomic data, often with history spanning back 50–100 years., Free stock screener with 50+ filters covering fundamentals, technicals, and performance; includes U.S. and international equities., and Company profile pages combine daily prices, dividends, and full annual/quarterly financial statements, with fundamentals sourced from Zacks., whereas Portfolio123 stands out for Web‑based quant research terminal for building multifactor ranking systems, stock/ETF screens, and complete rules‑based strategies with no programming, powered by point‑in‑time FactSet data and marketed as free of survivorship and look‑ahead bias., Supports realistic simulations and backtests over roughly 20 years of history for US, Canadian, and European equities, with custom universes, separate buy/sell rules, position sizing, hedging, and “Book of Strategies” to combine and analyze correlated systems., and Stock & ETF coverage uses fundamentals, estimates, corporate actions, plus industry/sector classification, with “over 15,000 current US, Canadian, and European stocks” and many more historical issues..

Keep exploring

Curation & Accuracy

This directory blends AI‑assisted discovery with human curation. Entries are reviewed, edited, and organized with the goal of expanding coverage and sharpening quality over time. Your feedback helps steer improvements (because no single human can capture everything all at once).

Details change. Pricing, features, and availability may be incomplete or out of date. Treat listings as a starting point and verify on the provider’s site before making decisions. If you spot an error or a gap, send a quick note and I’ll adjust.